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(a) This is a cost-reimbursement Agreement. The Recipient shall be reimbursed for <br /> costs incurred in the satisfactory performance of work hereunder in an amount not to exceed $ 10,376 . 00, <br /> subject to the availability of funds. <br /> (b) Any advance payment under this Agreement is subject to Section 216 . 181 ( 16), <br /> F1a. Stat. , and is contingent upon the Recipient ' s acceptance of the rights of the Division under Paragraph <br /> ( 12)(b) of this Agreement. The amount which maybe advanced may not exceed the expected cash needs <br /> of the Recipient within the first three (3) months of the contract term. For a federally funded contract, any <br /> advance payment is also subject to federal OMB Circulars A-87, A- I 10, A- 122 and the Cash Management <br /> Improvement Act of 1990 . All advances are required to be held in an interest-bearing account. If an <br /> advance payment is requested, the budget data on which the request is based and a justification statement <br /> shall be included in this Agreement as Attachment C. Attachment C will specify the amount of advance <br /> payment needed and provide an explanation of the necessity for and proposed use of these funds. No <br /> advance shall be accepted for processing if a reimbursement has been paid prior to the submittal of a <br /> request for advanced payment. <br /> (c) After the initial advance, if any, payment shall be made on a reimbursement basis as <br /> needed. The Recipient agrees to expend funds in accordance with the Budget and Scope of Work, <br /> Attachment A of this Agreement. <br /> (d) Invoices shall be submitted at least quarterly and shall include the supporting <br /> documentation for all costs of the project or services. Invoices shall be accompanied by a statement signed <br /> and dated by an authorized representative of the Recipient certifying that "all disbursements made in <br /> accordance with conditions of the Division agreement and payment is due and has not been previously <br /> requested for these amounts. " The supporting documentation must comply with the documentation <br /> requirements of applicable OMB Circular Cost Principles. The final invoice shall be submitted within sixty <br /> (60) days after the expiration date of the agreement. An explanation of any circumstances prohibiting the <br /> submittal of quarterly invoices shall be submitted to the Division contract manager as part of the <br /> Recipient ' s quarterly reporting as referenced in Paragraph 7 of this Agreement. <br /> If the necessary funds are not available to fund this Agreement as a result of action by the United <br /> States Congress, the federal Office of Management and Budgeting, the State Chief Financial Officer or <br /> under subparagraph ( I 9)(h) of this Agreement, all obligations on the part of the Division to make any <br /> further payment of funds shall terminate, and the Recipient shall submit its closeout report within thirty <br /> days of receiving notice from the Division. <br /> ( 18) REPAYMENTS <br /> All refunds or repayments due to the Division under this Agreement are to be made payable to the <br /> order of "Division of Emergency Management" and mailed directly to the following address : <br /> Division of Emergency Management <br /> Cashier <br /> 2555 Shumard Oak Boulevard <br /> Page 9 of 48 <br />